Financials
Value 202020212022202320242025 TTM Cash from investing activities 247.91 K-107.22 K-587 K-11.29 M-8.44 M-6.34 M -6.34 M Cash from financing activities 63.42 M26.32 M64.96 M43.25 M194.66 M59.73 M 59.73 M Free cash flow -54.9 M-34.14 M-29.18 M-42.85 M-98.37 M-40.02 M -40.02 M